Job description
Experience in handling all accounting activities independently
Handling P2P process with the Team.
Review of accounting books and records and reconciling statements, and transactions.
Day-to-day processing and activities of General Ledger, Customer Ledger & Vendor Ledger
Month-closing activity with the Team on a Timely Basis.
Vendor payment management (After Completion of the Month Closing activity)
Handling Receivable Activity with Team.
Monthly invoice preparation (As per Contract / Activity Wise / Reimbursement) and timely submission to customers
Outstanding details, preparing and forwarding to customers every week.
Preparing salary Data, making cheques, and depositing them in the bank; preparing EPF / ESIC / PT Details and handing them over to the account team for payment.
MIS Preparation for All Entities and submission to Management before the 07th of every month.
Petty Cash Monitoring for All Entities.
Accounts Receivable & Payable reconciliation
Banking Related Work
Debtors Reconciliation
Tally Entry
Job Type: Full-time
Pay: ₹40,000.00 - ₹45,000.00 per month
Benefits:
Health insurance
Provident Fund
Work Location: In person
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